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焦作万方

(000612)

  

流通市值:108.06亿  总市值:108.13亿
流通股本:11.91亿   总股本:11.92亿

资产负债表

报告期2025-06-302025-03-312024-12-312024-09-30
公司类型通用通用通用通用
流动资产:
  货币资金1,814,277,073.611,683,248,782.591,699,968,273.681,538,968,980.61
  交易性金融资产100,807,510.91-0150,830,136.99
  衍生金融资产-1,125,400--
  应收票据及应收账款20,067,932.0840,297,733.329,716,804.521,523,660.66
        应收账款20,067,932.0840,297,733.329,716,804.521,523,660.66
  应收款项融资24,255,240.8222,684,867.613,889,2208,420,625.73
  预付款项26,549,013.1343,701,642.7151,908,106.1899,128,111.01
  其他应收款合计108,856,650.62175,938,679.07181,709,242.36193,727,995.29
  其中:应收利息0-0-
        应收股利108,619,137.36168,619,137.36181,619,137.36192,819,137.36
  存货437,217,140.93608,680,544.17541,162,888.65461,315,363.94
  其他流动资产21,963,237.6822,651,921.1520,165,724.0228,955,345.06
  流动资产合计2,553,993,799.782,598,329,570.612,518,520,259.412,482,870,219.29
非流动资产:
  长期股权投资3,332,272,395.823,238,935,707.373,186,146,032.983,125,227,404.41
  其他权益工具投资313,428,506.15313,428,506.15313,428,506.15313,428,506.15
  固定资产1,679,829,460.261,713,497,067.451,754,487,532.941,770,557,195.02
  在建工程5,677,184.6115,022,939.864,587,489.277,559,717.53
  使用权资产18,970,78219,196,624.6419,422,467.2819,648,309.95
  无形资产107,754,683.04108,316,755.38109,079,823.3285,146,758.38
  商誉31,789,710.8131,789,710.8131,789,710.8131,789,710.81
  递延所得税资产115,662,750.22118,393,702.01122,132,498.3145,640,115.56
  非流动资产合计5,605,385,472.915,558,581,013.675,541,074,061.065,398,997,717.81
  资产总计8,159,379,272.698,156,910,584.288,059,594,320.477,881,867,937.1
流动负债:
  短期借款282,696,180.55332,753,993.05332,753,993.05232,630,902.78
  应付票据及应付账款673,758,934.89884,765,084.75872,152,805.34671,349,233.15
  其中:应付票据346,351,851635,351,851568,000,000440,000,000
        应付账款327,407,083.89249,413,233.75304,152,805.34231,349,233.15
  预收款项0-0-
  合同负债12,852,595.6319,519,365.8238,163,057.4378,785,623.1
  应付职工薪酬44,162,840.334,297,319.5641,646,419.1733,885,249.91
  应交税费130,485,950.1686,616,111.45120,652,981.3879,760,754.93
  其他应付款合计52,149,925.3648,519,702.9566,168,399.6250,337,761.1
  一年内到期的非流动负债20,842,406.2720,861,205.7320,824,980.73364,029,188.53
  其他流动负债1,670,837.442,537,517.554,950,923.1310,242,131.01
  流动负债合计1,218,619,670.61,429,870,300.861,497,313,559.851,521,020,844.51
非流动负债:
  长期借款280,000,000290,000,000290,000,000147,000,000
  租赁负债19,277,190.3320,568,746.5720,335,493.6320,115,432.91
  长期应付职工薪酬9,263,610.899,913,386.4210,656,407.4911,063,340.31
  递延收益1,636,514.411,659,203.81,681,893.191,704,582.58
  递延所得税负债4,944,573.225,080,506.154,855,616.825,006,334.18
  非流动负债合计315,121,888.85327,221,842.94327,529,411.13184,889,689.98
  负债合计1,533,741,559.451,757,092,143.81,824,842,970.981,705,910,534.49
所有者权益(或股东权益):
  实收资本(或股本)1,192,199,3941,192,199,3941,192,199,3941,192,199,394
  资本公积1,662,803,419.741,662,134,838.121,662,134,838.121,662,803,419.75
  其他综合收益-63,055,143.36-67,081,824.61-67,081,824.61-75,027,005.22
  专项储备7,688,704.046,245,959.42,569,110.7911,767,047.99
  盈余公积613,088,606.45613,088,606.45613,088,606.45531,796,679.87
  未分配利润3,212,912,732.372,993,231,467.122,831,841,224.742,852,417,866.22
  归属于母公司股东权益合计6,625,637,713.246,399,818,440.486,234,751,349.496,175,957,402.61
  股东权益合计6,625,637,713.246,399,818,440.486,234,751,349.496,175,957,402.61
  负债和股东权益合计8,159,379,272.698,156,910,584.288,059,594,320.477,881,867,937.1
公告日期2025-08-302025-04-292025-03-292024-10-30
审计意见(境内)标准无保留意见
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